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Balance Sheet - Otter Tail Corp (OTTR)

$(Billion, Million)
Dec-25 Dec-24 Dec-23 Dec-22 Dec-21 Dec-20 Dec-19 Dec-18 Dec-17 Dec-16 Dec-15 Dec-14 Dec-13 Dec-12 Dec-11 Dec-10 Dec-09 Dec-08 Dec-07 Dec-06
Total cash and short-term investments + 440.50 295.40 230.37 119.00 1.54 1.16 21.20 0.86 16.22 0.00 125.24 0.00 1.15 52.36 14.65 11.22 4.43 7.57 39.82 6.79
Accounts receivable, net 145.50 145.96 157.14 144.39 174.95 113.96 107.63 110.95 99.84 94.83 93.92 91.35 75.75 118.22 127.98 241.33 154.68 176.95 208.61 183.66
Inventories 158.60 148.89 149.70 145.95 148.49 92.17 97.85 106.27 88.03 83.74 85.42 85.20 72.68 69.34 77.98 95.02 86.52 101.96 97.21 103.00
Other current assets 55.13 40.54 32.95 43.41 44.37 27.55 28.18 23.34 35.04 29.44 27.36 130.60 100.20 83.72 178.98 33.09 104.40 40.94 97.23 80.28
Total current assets 799.73 630.04 570.17 452.75 369.35 234.83 254.86 241.42 239.13 208.02 206.69 307.15 229.56 323.63 399.60 369.43 350.02 393.01 400.65 335.35
Total non-current assets + 3,164.55 3,022.04 2,672.40 2,448.91 2,385.48 2,343.52 2,018.74 1,811.10 1,765.15 1,704.37 1,614.22 1,484.13 1,345.43 1,278.71 1,300.93 1,401.12 1,404.66 1,299.58 1,054.10 923.30
Total assets 3,964.28 3,652.08 3,242.57 2,901.66 2,754.83 2,578.35 2,273.60 2,052.52 2,004.28 1,912.39 1,820.90 1,791.28 1,574.99 1,602.34 1,700.52 1,770.56 1,754.68 1,692.59 1,454.75 1,258.65
Total current liabilities + 350.96 309.79 309.76 237.64 387.70 436.79 189.74 170.09 256.65 215.67 271.24 201.70 232.89 173.13 187.50 264.59 207.04 304.74 293.96 215.46
Total non-current liabilities + 1,751.56 1,673.79 1,489.81 1,446.71 1,376.35 1,270.60 1,302.37 1,153.56 1,050.73 1,026.61 944.64 1,016.81 807.27 891.74 941.57 874.10 859.42 497.10 465.27 376.36
Total liabilities 2,102.52 1,983.58 1,799.56 1,684.34 1,764.05 1,707.39 1,492.11 1,323.65 1,307.39 1,242.28 1,215.88 1,218.51 1,040.16 1,064.86 1,129.07 1,138.69 1,066.46 1,001.07 916.61 751.13
Total stockholders' equity + 1,861.76 1,668.50 1,443.01 1,217.32 990.78 870.97 781.48 728.86 696.89 670.10 605.02 572.77 534.83 537.47 571.45 631.86 688.22 691.52 538.15 507.53
Common shares outstanding 42 42 42 42 42 41 40 40 40 39 38 37 36 36 36 36 36 32 30 30
Show Quarterly Balance Sheet

Balance Sheet - Otter Tail Corp (OTTR)

$(Billion, Million)
Mar-26 Dec-25 Sep-25 Jun-25 Mar-25 Dec-24 Sep-24 Jun-24 Mar-24 Dec-23 Sep-23 Jun-23 Mar-23 Dec-22 Sep-22 Jun-22 Mar-22 Dec-21 Sep-21 Jun-21 Mar-21 Dec-20 Sep-20 Jun-20 Mar-20 Dec-19 Sep-19 Jun-19 Mar-19 Dec-18 Sep-18 Jun-18 Mar-18 Dec-17 Sep-17 Jun-17 Mar-17 Dec-16 Sep-16 Jun-16 Mar-16 Dec-15 Sep-15 Jun-15 Mar-15 Dec-14 Sep-14 Jun-14 Mar-14 Dec-13 Sep-13 Jun-13 Mar-13 Dec-12 Sep-12 Jun-12 Mar-12 Dec-11 Sep-11 Jun-11 Mar-11 Dec-10 Sep-10 Jun-10 Mar-10 Dec-09 Sep-09 Jun-09 Mar-09 Dec-08 Sep-08 Jun-08 Mar-08 Dec-07 Sep-07 Jun-07 Mar-07 Dec-06 Sep-06 Jun-06 Mar-06
Total cash and short-term investments + 403.24 403.24 379.66 307.24 284.81 295.40 280.02 230.67 238.16 230.37 189.21 150.58 104.08 119.00 72.99 24.49 1.37 1.54 1.27 1.48 1.21 1.16 38.53 34.38 5.40 21.20 0.92 0.98 0.89 0.86 -2.68 -1.07 0.40 16.22 0.83 0.00 0.00 0.00 0.00 0.00 0.00 0.00 -6.75 0.00 0.16 0.00 0.00 4.36 6.61 1.15 59.12 42.28 37.53 52.36 148.06 44.14 6.43 14.65 6.60 0.00 0.19 105.02 60.88 49.42 0.00 4.43 6.07 9.06 3.11 7.57 17.86 0.00 9.45 39.82 0.70 0.00 0.00 6.79 8.00 0.00 0.00
Accounts receivable, net 151.14 183.22 166.69 180.82 184.05 145.96 186.27 191.95 195.67 157.14 193.18 194.95 175.44 144.39 193.80 225.84 218.90 174.95 178.76 163.42 134.39 113.96 123.15 109.67 122.44 107.63 120.09 115.36 140.90 110.95 120.99 120.28 120.07 99.84 110.16 102.48 107.63 94.83 91.52 94.59 90.00 80.84 91.48 81.67 89.27 78.17 120.92 117.31 116.79 75.75 130.54 110.62 117.10 106.87 174.09 237.46 233.91 102.05 238.30 246.31 252.11 162.32 187.22 138.89 189.20 154.68 173.81 179.56 219.75 176.95 254.93 242.56 205.05 208.61 218.45 213.43 210.26 183.66 181.75 187.55 173.98
Inventories 157.06 157.06 155.77 151.56 147.70 148.89 153.23 161.79 148.19 149.70 142.01 144.44 144.77 145.95 146.38 146.96 145.86 148.49 114.62 103.02 92.43 92.17 81.87 89.75 98.15 97.85 97.05 105.86 106.73 106.27 94.62 90.44 88.00 88.03 78.92 87.27 81.47 83.74 80.85 81.40 85.41 85.42 83.17 81.80 84.52 85.20 78.94 82.70 81.88 72.68 72.66 73.41 73.40 69.34 73.43 77.37 82.96 77.98 91.11 86.24 81.14 95.02 88.40 94.09 96.84 86.52 84.00 92.14 97.69 101.96 111.04 112.23 115.26 97.21 97.76 98.79 100.57 103.00 106.60 106.99 106.46
Other current assets 55.45 55.45 35.12 34.79 34.71 40.54 30.79 29.72 25.92 32.95 32.35 34.14 30.08 43.41 47.33 36.60 36.27 44.37 40.32 36.97 30.94 27.55 24.99 27.99 27.71 28.18 19.59 23.01 25.18 23.34 25.16 27.49 30.95 35.04 38.30 30.89 29.81 29.44 31.35 38.41 34.49 40.43 98.80 99.20 126.93 93.20 91.65 86.83 82.45 79.17 43.19 62.01 67.82 91.40 51.91 54.71 58.71 159.80 35.69 21.02 127.98 279.33 85.72 120.10 108.05 104.40 39.07 40.58 44.12 106.54 45.06 51.15 56.49 55.00 34.55 46.87 54.07 41.90 41.83 49.39 47.84
Total current assets 798.96 798.96 737.24 674.41 651.27 630.04 650.31 614.13 607.94 570.17 556.75 524.11 454.37 452.75 460.49 471.39 402.39 369.35 334.97 304.90 258.96 234.83 274.92 266.92 256.18 254.86 237.66 263.57 273.70 241.42 241.41 239.24 240.13 239.13 228.20 220.64 218.91 208.02 203.71 214.40 209.89 206.69 273.99 262.67 300.87 307.15 297.78 292.35 291.45 229.56 310.37 293.43 300.93 323.63 299.43 369.54 375.58 399.60 371.70 368.20 461.41 369.43 361.34 353.08 405.50 350.02 302.94 321.33 364.67 393.01 428.90 405.94 386.25 400.65 351.46 359.09 364.90 335.35 338.18 343.93 328.28
Total non-current assets + 3,353.85 3,353.85 3,106.58 3,090.88 3,045.52 3,022.04 2,916.43 2,846.66 2,718.09 2,672.40 2,630.72 2,569.87 2,533.05 2,448.91 2,437.41 2,404.11 2,389.35 2,385.48 2,378.18 2,366.69 2,359.58 2,343.52 2,259.59 2,122.32 2,049.82 2,018.74 1,942.53 1,851.38 1,830.85 1,811.10 1,786.00 1,772.01 1,767.29 1,765.15 1,738.70 1,723.41 1,711.79 1,704.37 1,665.19 1,647.51 1,623.46 1,614.22 1,582.51 1,548.71 1,514.31 1,484.13 1,416.50 1,390.13 1,364.75 1,345.43 1,347.91 1,298.04 1,280.81 1,278.71 1,270.50 1,264.86 1,303.54 1,300.93 1,340.28 1,339.95 1,335.57 1,401.12 1,399.36 1,392.16 1,410.46 1,404.66 1,435.06 1,389.41 1,306.27 1,299.58 1,185.17 1,151.21 1,072.65 1,054.10 991.56 967.65 933.53 923.30 900.62 889.17 886.69
Total assets 4,152.81 4,152.81 3,843.82 3,765.29 3,696.79 3,652.08 3,566.74 3,460.78 3,326.03 3,242.57 3,187.47 3,093.99 2,987.41 2,901.66 2,897.90 2,875.50 2,791.74 2,754.83 2,713.15 2,671.59 2,618.54 2,578.35 2,534.51 2,389.24 2,306.00 2,273.60 2,180.19 2,114.94 2,104.55 2,052.52 2,027.42 2,011.25 2,007.42 2,004.28 1,966.90 1,944.06 1,930.71 1,912.39 1,868.91 1,861.90 1,833.36 1,820.90 1,856.50 1,811.38 1,815.18 1,791.28 1,714.29 1,682.47 1,656.20 1,574.99 1,658.27 1,591.47 1,581.74 1,602.34 1,569.93 1,634.40 1,679.12 1,700.52 1,711.98 1,708.15 1,796.98 1,770.56 1,760.70 1,745.24 1,815.96 1,754.68 1,738.00 1,710.74 1,670.94 1,692.59 1,614.07 1,557.15 1,458.89 1,454.75 1,343.02 1,326.74 1,298.44 1,258.65 1,238.80 1,233.10 1,214.97
Total current liabilities + 391.88 391.88 206.36 203.48 248.42 309.79 299.59 270.95 208.47 309.76 310.03 300.56 262.46 237.64 241.85 288.15 373.16 387.70 510.09 483.48 459.43 436.79 299.74 232.92 175.69 189.74 253.19 206.15 200.72 170.09 163.45 166.24 166.10 256.65 246.18 236.99 235.97 215.67 246.26 233.14 232.90 271.24 237.15 198.09 214.09 201.70 199.80 186.29 174.23 232.89 219.58 164.78 158.96 173.13 176.37 233.44 186.82 187.50 215.88 213.55 305.25 264.59 246.17 218.07 265.27 207.04 271.62 247.92 283.68 304.74 295.93 392.05 297.19 293.96 248.24 263.35 251.08 215.46 226.48 230.92 218.21
Total non-current liabilities + 1,853.14 1,853.14 1,806.01 1,787.35 1,731.01 1,673.79 1,633.82 1,624.18 1,620.09 1,489.81 1,474.51 1,464.99 1,461.17 1,446.71 1,472.03 1,470.80 1,371.45 1,376.35 1,250.58 1,272.98 1,271.24 1,270.60 1,382.70 1,334.26 1,330.30 1,302.37 1,170.50 1,164.49 1,163.33 1,153.56 1,138.66 1,130.43 1,133.27 1,050.73 1,028.20 1,020.66 1,015.61 1,026.61 965.93 992.66 986.74 944.64 1,021.44 1,023.58 1,014.82 1,016.81 951.25 942.85 932.30 807.27 908.80 901.46 895.14 891.74 862.45 861.01 924.23 941.57 870.16 849.35 850.42 858.60 877.78 886.81 885.59 860.64 779.49 780.64 701.04 497.10 470.71 468.52 467.56 465.27 400.55 374.66 374.84 376.36 377.04 379.53 379.78
Total liabilities 2,245.02 2,245.02 2,012.37 1,990.83 1,979.43 1,983.58 1,933.41 1,895.13 1,828.57 1,799.56 1,784.54 1,765.55 1,723.63 1,684.34 1,713.88 1,758.96 1,744.60 1,764.05 1,760.67 1,756.46 1,730.67 1,707.39 1,682.44 1,567.18 1,505.98 1,492.11 1,423.69 1,370.64 1,364.05 1,323.65 1,302.11 1,296.67 1,299.37 1,307.39 1,274.38 1,257.65 1,251.58 1,242.28 1,212.19 1,225.80 1,219.64 1,215.88 1,258.59 1,221.67 1,228.91 1,218.51 1,151.04 1,129.14 1,106.53 1,040.16 1,128.37 1,066.24 1,054.10 1,064.86 1,038.82 1,094.44 1,111.05 1,129.07 1,086.04 1,062.90 1,155.67 1,123.19 1,123.95 1,104.87 1,150.85 1,067.68 1,051.11 1,028.55 984.72 1,001.07 923.10 1,017.39 920.76 916.61 810.83 801.92 785.92 751.13 739.86 739.92 726.94
Total stockholders' equity + 1,907.79 1,907.79 1,831.45 1,774.46 1,717.36 1,668.50 1,633.33 1,565.65 1,497.46 1,443.01 1,402.93 1,328.44 1,263.78 1,217.32 1,184.02 1,116.54 1,047.14 990.78 952.48 915.12 887.87 870.97 852.07 822.06 800.02 781.48 756.51 744.31 740.50 728.86 725.30 714.58 708.05 696.89 692.52 686.40 679.12 670.10 656.72 636.11 613.72 605.02 597.92 589.71 586.27 572.77 563.24 553.33 549.67 534.83 529.90 525.23 527.65 537.47 531.11 539.96 568.06 571.45 625.95 645.25 641.32 647.36 636.75 640.37 665.11 687.00 686.90 682.18 686.22 691.52 690.97 539.77 538.13 538.15 532.19 524.82 512.52 507.53 498.94 493.18 488.03
Common shares outstanding 42 42 42 42 42 42 42 42 42 42 42 42 42 42 42 42 42 42 42 42 42 41 41 41 40 40 40 40 40 40 40 40 40 40 40 40 40 40 39 38 38 38 38 38 37 37 37 37 36 36 36 36 36 36 36 36 36 36 36 36 36 37 36 36 36 36 36 36 35 35 31 30 30 30 30 30 30 29 30 30 30
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